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Bajaj Finserv Limited

BAJAJFINSVFinance

Fundamental Score

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Bajaj Finserv Limited Share Price & Market Analysis

Current Market Price (CMP)
2069.20
No change data available
Market Cap
3.31L (Cr)
Industry
Finance

Profitability Metrics

Poor

Return on Equity

13.39%
Poor

Return on Capital Employed

11.03%
Excellent

Operating Profit Margin (5Y)

35.45%
Poor

Dividend Yield

0.05%

Valuation Metrics

Poor

Price to Earnings

34.73x

Market Capitalization

3.31L (Cr)

Industry P/E

22.20x

Growth Metrics

Excellent

YoY Quarterly Profit Growth

30.47%
Poor

YoY Quarterly Sales Growth

12.58%
Excellent

Sales Growth (5Y)

19.75%
Excellent

EPS Growth (5Y)

21.32%
Excellent

Profit Growth (5Y)

21.40%

Financial Health

Poor

Debt to Equity

4.92x
Poor

Interest Coverage

1.98x
Poor

Free Cash Flow (5Y)

-2.02L (Cr)

Ownership Structure

Good

Promoter Holding

58.81%
Average

FII Holding

8.40%
Good

DII Holding

10.09%
Good

Pledged Percentage

0.01%
Market-cap Classification
Large-cap
Established & liquid; typically steadier returns.
58.81%
Promoter Holding
3.31L (Cr)
Market Cap

Labels (e.g., "Excellent", "Good") are peer-based vs industry/sector averages — data-only, not advice

Market Data Analysis & Educational Insights

Educational evaluation of BAJAJFINSV across key market metrics for learning purposes.

Positive Indicators

6 factors identified

Strong Operating Margins (35.45%)

Observation: Healthy 5-year operating margins indicate pricing power and cost control.

Analysis: OPM >15% suggests operational efficiency and competitive advantages. This indicates sustainable profitability potential.

Robust Profit Growth (30.47%)

Observation: Strong year-over-year profit expansion demonstrates business momentum.

Analysis: Profit growth >20% indicates effective execution and market opportunity capture. This suggests positive business trajectory.

Consistent Growth Track Record (19.75% CAGR)

Observation: Strong 5-year sales compound annual growth rate.

Analysis: Consistent sales CAGR >12% demonstrates sustainable growth model and market opportunity execution over time.

Excellent EPS Growth (21.32% CAGR)

Observation: Outstanding 5-year earnings per share compound growth.

Analysis: EPS CAGR >15% indicates strong wealth creation potential and effective capital allocation over extended periods.

Strong Profit Growth Track Record (21.40% CAGR)

Observation: Consistent 5-year profit compound annual growth rate.

Analysis: Profit CAGR >15% demonstrates scalable business model and effective operational leverage over time.

Balanced Promoter Holding (58.81%)

Observation: Optimal balance between promoter control and public float.

Analysis: Promoter holding in 50-75% range provides management alignment while ensuring adequate liquidity.

Risk Factors

6 factors identified

Elevated Debt Levels (D/E: 4.92)

Observation: High leverage increases financial risk and interest burden.

Analysis: High debt-to-equity ratios require monitoring of debt servicing capability and cash flow generation.

Weak Interest Coverage (1.98x)

Observation: Limited ability to service debt obligations from earnings.

Analysis: Low interest coverage raises concerns about financial stability. Monitor cash flow and debt reduction plans.

Negative Free Cash Flow (₹-201566.85 Cr over 5Y)

Observation: Cash outflows exceed inflows, indicating capital intensity or working capital issues.

Analysis: Negative FCF requires analysis of capital expenditure cycle and working capital management efficiency.

High Debt-to-Equity Ratio

Observation: Elevated financial risk due to high leverage.

Analysis: High debt levels may strain cash flows and increase financial risk during economic downturns.

Very High Debt Levels

Observation: Excessive leverage may strain cash flows.

Analysis: Debt-to-equity above 2.0 indicates potential financial distress risk.

High P/E Ratio

Observation: Stock may be overvalued relative to earnings.

Analysis: P/E above 30 requires strong growth execution to justify current valuations.

📊 Educational Market Overview

Disclaimer: The ratings and scores are generated algorithmically from publicly available market data and are provided for educational and informational purposes only. They do not constitute investment advice, recommendation, or solicitation to buy/sell any securities.

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Financial Statements

Comprehensive financial data for Bajaj Finserv Limited

About BAJAJFINSV

Company Details

Symbol:BAJAJFINSV
Industry:Finance
Sector:Holding Company

Market Information

Market Cap:3.31L (Cr)
P/E Ratio:34.73
Beta:N/A

Performance

52W High:N/A
52W Low:N/A
Dividend Yield:0.05%

BAJAJFINSV Stock Details & Analysis

Key Financial Metrics

Return on Equity (ROE)13.39%
Return on Capital Employed11.03%
Operating Profit Margin (5Y)35.45%
Debt to Equity Ratio4.92
Interest Coverage Ratio1.98

Growth & Valuation

Sales Growth (5Y)19.75%
Profit Growth (5Y)21.40%
EPS Growth (5Y)21.32%
YoY Quarterly Profit Growth30.47%
YoY Quarterly Sales Growth12.58%

Frequently Asked Questions

What is the current price of BAJAJFINSV?

BAJAJFINSV is currently trading at ₹2069.20 with a gain of 0.00% today. The current market price (CMP) represents the last traded price of BAJAJFINSV shares on the stock exchange. This price fluctuates throughout trading hours based on supply and demand. You can track real-time price movements, percentage changes, and trading volume in the header section.

What is the P/E ratio of BAJAJFINSV and what does it mean?

BAJAJFINSV has a P/E ratio of 34.73x compared to the industry average of 22.20x. The Price-to-Earnings (P/E) ratio is calculated by dividing the current share price by earnings per share (EPS). This means investors are paying ₹35 for every ₹1 of annual earnings. This is higher than the industry average, suggesting either growth premium or potential overvaluation.

How is BAJAJFINSV performing according to Bull Run's analysis?

BAJAJFINSV has a Bull Run fundamental score of 60.3/100, which indicates moderate strength with some areas for improvement. This comprehensive rating is based on 15+ financial parameters including profitability (ROE: 13.39%), growth metrics, valuation ratios, and financial health indicators. The score updates quarterly with new financial data and helps you quickly assess overall investment quality.

What sector and industry does BAJAJFINSV belong to?

BAJAJFINSV operates in the Finance industry. This sector classification helps understand the broader economic trends, regulatory framework, and competitive landscape affecting Bajaj Finserv Limited. Companies in this industry typically face similar market dynamics, cyclical patterns, and macroeconomic factors. Understanding the industry context is crucial for peer comparison and assessing how sector-specific trends might impact the stock's performance.

What is Return on Equity (ROE) and why is it important for BAJAJFINSV?

BAJAJFINSV has an ROE of 13.39%, which shows decent profitability but room for improvement. Return on Equity measures how efficiently Bajaj Finserv Limited generates profits from shareholders' equity. An ROE of 13% means the company generates ₹13 profit for every ₹100 of shareholders' equity. This metric is crucial for assessing management's ability to create value for shareholders.

How is BAJAJFINSV's debt-to-equity ratio and what does it indicate?

BAJAJFINSV has a debt-to-equity ratio of 4.92, which indicates high leverage that increases financial risk. This means the company has ₹492 of debt for every ₹100 of equity. Higher leverage can amplify returns during good times but increases bankruptcy risk during downturns.

What is BAJAJFINSV's dividend yield and is it a good dividend stock?

BAJAJFINSV offers a dividend yield of 0.05%, which means you receive ₹0.05 annual dividend for every ₹100 invested. The focus appears to be more on growth rather than dividend income. Dividend yield is calculated as annual dividend per share ÷ current share price × 100. Evaluate dividend consistency over 5+ years and free cash flow coverage for sustainability.

How has BAJAJFINSV grown over the past 5 years?

BAJAJFINSV has achieved 5-year growth rates of: Sales Growth 19.75%, Profit Growth 21.40%, and EPS Growth 21.32%. This consistent double-digit growth indicates a strong business model and competitive positioning. Sales growth indicates market expansion, profit growth shows operational efficiency, and EPS growth directly impacts share price appreciation potential.

What is the promoter holding in BAJAJFINSV and why does it matter?

Promoters hold 58.81% of BAJAJFINSV shares, with 0.01% of promoter shares pledged. This high promoter holding indicates strong management confidence and alignment with shareholders. Low pledging indicates financial stability of promoters. Recent change in promoter holding: -1.84%.

How does BAJAJFINSV compare with its industry peers?

BAJAJFINSV trades at P/E 34.73x vs industry average 22.20x, with ROE of 13.39% and ROCE of 11.03%. The stock trades at a premium to industry average, which may be justified by superior fundamentals. Peer comparison helps identify whether BAJAJFINSV is outperforming its competitive set in profitability, growth, and valuation metrics.

What is BAJAJFINSV's market capitalization and what category does it fall into?

BAJAJFINSV has a market capitalization of ₹330715 crores, making it a Large-cap stock. Large-cap stocks offer stability and liquidity but typically slower growth. Market cap is calculated as current share price × total outstanding shares, representing the company's total market value.

What are the key financial ratios to consider for BAJAJFINSV?

Key ratios for BAJAJFINSV: ROE 13.39% (Good), ROCE 11.03%, P/E 34.73x, Debt-to-Equity 4.92, Interest Coverage 1.98x. These ratios help assess profitability (ROE, ROCE), valuation (P/E), financial health (D/E, Interest Coverage), and overall investment quality. Compare these with industry medians and historical trends for meaningful analysis.

How volatile is BAJAJFINSV stock and what is its beta?

BAJAJFINSV has a beta of N/A, which means it is less volatile than the market and offers defensive characteristics. Beta measures price volatility relative to the Nifty 50. Lower beta stocks provide stability during uncertain market conditions. Consider beta alongside your risk tolerance and portfolio diversification strategy.

What is the 52-week high and low for BAJAJFINSV?

BAJAJFINSV has a 52-week high of ₹N/A and low of ₹N/A. Currently trading at ₹2069.20, the stock is within its annual trading range. Trading near highs indicates strong momentum but limited upside potential.

What are the key risks associated with investing in BAJAJFINSV?

Key risks for BAJAJFINSV include: Market volatility (Beta: N/A), financial leverage (Debt-to-Equity: 4.92), and operational challenges. The stock has a Fundamental Score of 60.3/100, indicating moderate risk requiring careful monitoring. Sector-specific risks in Finance include regulatory changes, economic cycles, and competitive pressures. Consider your risk tolerance, investment horizon, and portfolio diversification before investing. Past performance doesn't guarantee future results.

What is BAJAJFINSV's operating profit margin and how has it trended?

BAJAJFINSV has a 5-year average Operating Profit Margin (OPM) of 35.45%, which is excellent and indicates strong pricing power and cost control. Operating Profit Margin shows operational efficiency by measuring operating profit as a percentage of revenue. This strong margin indicates competitive advantages and operational leverage. Compare with industry peers to understand relative performance.

How is BAJAJFINSV's quarterly performance in terms of sales and profit growth?

BAJAJFINSV's recent quarterly performance shows YoY Sales Growth of 12.58% and YoY Profit Growth of 30.47%. This shows decent growth momentum in the business. Sales growth shows market demand while profit growth reveals operational efficiency and margin management.

What is the FII and DII holding pattern in BAJAJFINSV?

BAJAJFINSV has FII holding of 8.40% and DII holding of 10.09%, totaling 18.49% institutional ownership. This institutional participation level shows the confidence of professional money managers. Monitor quarterly changes in institutional holdings for investment flow trends and sentiment.